Introduction
Boothbay Fund Management, LLC is a multi-manager, multi-strategy firm with 100+ alternative asset managers trading strategies across a spectrum of asset classes globally. Boothbay launched its flagship strategy in 2014 and currently has approximately $2BN under management. Boothbay has its primary office in NYC, and an additional office in Westchester County NY. The firm is operated with an entrepreneurial spirit and is continually seeking to improve and expand.
Role
We are looking for a talented individual with strong quantitative skills to join our Risk Management team. The role will focus on analyzing market risk and implementing valuation models to support risk management and investment processes across a variety of strategies and asset classes. The successful candidate will work in the intersection of technology, investment, and risk to develop, deliver, and maintain vital modeling, pricing, and data infrastructure across our multi-strategy platform. They will be an active contributor in daily discussions with the risk and investment teams.
Responsibilities
Qualifications
Compensation
Primary work location
Our Firm
Boothbay is an institutional investment firm dedicated to seeking consistent, uncorrelated absolute returns in all market environments. Boothbay uses a combination of proprietary technology and experience to target traditional and non-traditional sources of alpha. Boothbay employs a range of investment strategies with broad industry, sector, style and geographic diversification. Capital is deployed based on strategy edge, diversification, volatility, background, correlations to the market, capital efficiency, and other considerations.
Send resumes to: Recruiting@bbaymgmt.com
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